Swiss Reposted 29 days ago
$116,000 - $186,000/Yr
Mid Level
New York, NY
Insurance Carriers and Related Activities

About the position

Join a Compliance team that supports Swiss Re's investment advisory and broker-dealer businesses, using your technical expertise and understanding of regulation to aid in the design and implementation of compliance programs that meet applicable regulatory requirements.

Responsibilities

  • Monitoring of law and regulation, particularly the Investment Advisers Act of 1940.
  • Assessing compliance risk and impact to financial activities.
  • Providing advice and guidance on requirements to internal partners.
  • Communicating with stakeholders and reporting on Compliance matters.
  • Training on requirements and procedures.
  • Supporting regulatory filings and other operational matters.

Requirements

  • At least 5 years' experience as a compliance officer, preferably with an SEC-registered investment advisory firm.
  • Experience with compliance programs that fall under the Investment Advisers Act of 1940.
  • Strong analytical skills and the ability to assess complex issues.
  • Proficient in MS Office products such as Outlook, Excel, Word, Power Point.

Nice-to-haves

  • High attention to detail and strong organization skills.
  • Inquisitive and engaging with superior communications skills.

Benefits

  • Total compensation approach considering base pay, short-and long-term incentives, and benefits offered.

Job Keywords

Hard Skills
  • Compliance Implementation
  • Compliance Risk
  • Inquisit
  • Regulatory Filings
  • Regulatory Requirements
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